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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
LFM
1201
LGT Fund Management
Liechtenstein
$452K
CCA
1202
Cobblestone Capital Advisors
New York
$452K
WI
1203
WBI Investments
New Jersey
$452K +$442K +1,839 New
CIM
1204
Cambria Investment Management
California
$451K +$13.2K +55 +3%
NS
1205
NBC Securities
Alabama
$449K +$392K +1,629 +819%
SB
1206
Sunflower Bank
Texas
$448K
AO
1207
Advisor OS
Illinois
$448K +$107K +447 +32%
JCIA
1208
Jackson Creek Investment Advisors
Colorado
$445K +$435K +1,811 New
QC
1209
Quent Capital
New York
$445K +$10.1K +42 +2%
LSA
1210
Leonteq Securities AG
Switzerland
$445K -$120K -499 -22%
3IP
1211
3Chopt Investment Partners
Virginia
$444K +$43.8K +182 +11%
HTC
1212
Haverford Trust Company
Pennsylvania
$444K -$72.1K -300 -14%
SCP
1213
Sivia Capital Partners
California
$441K +$10.6K +44 +3%
AWM
1214
Aberdeen Wealth Management
Illinois
$439K
PCM
1215
Prelude Capital Management
New York
$435K -$18K -75 -4%
JSW
1216
Journey Strategic Wealth
New Jersey
$435K +$48.6K +202 +13%
ACS
1217
Archford Capital Strategies
Illinois
$434K -$32.2K -134 -7%
IF
1218
Intrua Financial
Texas
$432K +$30.1K +125 +8%
TPI
1219
Trust Point Inc
Wisconsin
$431K +$422K +1,756 New
OAM
1220
Ostrum Asset Management
France
$431K -$13.2K -55 -3%
CC
1221
Cornerstone Capital
California
$430K -$132K -549 -24%
SGI
1222
Summit Global Investments
Utah
$426K -$738K -3,069 -64%
CCG
1223
Cypress Capital Group
Florida
$426K
LNB
1224
Ledyard National Bank
$426K +$481 +2 +0.1%
FCAS
1225
First Command Advisory Services
Texas
$426K +$16.8K +70 +4%